Hold risk but be prepared for volatility, says Deutsche Bank

Following a choppy start to the year for markets globally, Deutsche Bank's Asia strategist, Brad Jones, says institutional investors should monitor a potentially large increase in regional credit growth, credit-tightening measures in China and somewhat frothy asset valuations when evaluating their exposure to potential market volatility.

It has been a mixed start to the year for equity and credit markets. What is your view on holding risk in Asia